iTradeFX Knowledge Base

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2025 ITFX Knowledge Base

iTradeFX.news — Partner Knowledge Base

Last updated: August 25, 2025
Tagline: Smart Capital. Real Assets. Modern Trading.

 

1) Who We Are

  • Family-run practice led by CEO Christopher Feimel (aka Christopher Biemel) with a small, experienced team. Culture emphasizes trust, transparency, and long-term relationships.
  • Focus: Ethical, disciplined trading with technology-driven execution. We prioritize responsible growth over rapid staff expansion.
  • How we operate: Relationship-first. Inbound interest, referrals, and curated media—no telemarketing or cold-call boiler rooms.
 

2) What We Offer

Crypto Bonds (ETH & BTC)
  • Structured products that target monthly returns in defined bands (typical target range 4.2%–7.7% per month depending on bond tier).
  • Backed by our trading discipline and risk protocols.
Managed FX/CFD Trading
  • We partner with FXPro as our introducing broker for global market access (MetaTrader 4/5, cTrader, etc.).
  • Positions are managed by our internal, rules-based and AI-assisted systems.
Curated Market News
  • Focused insights aligned with our risk framework and execution playbook.

Important: Products are designed for qualified participants deploying risk capital only. This is not investment advice; see Risk & Compliance.

3) Structure & Participation

  • Mini-funds (LLCs): Capital is pooled into small private LLCs, each with ≤10 contributors to maintain private-exemption compliance.
  • Contribution cadence: Typical monthly 30‑day trading cycles.
  • Minimum participation: $25,000 USD per entry.
  • Participant profile: Financially stable, using risk capital, not credit or essential savings.
  • Exposure policy: Internal guideline caps per‑individual exposure at ~$2M to stay compliant and manageable. Group pools can reach $1M+ per month via team structures.

Performance Split (Illustrative)

  • Contributors typically earn the first ~15% monthly before performance fees (carry) apply.
  • Standard carry band ≈ 15% of profits above that first‑return threshold.
  • At the highest tier, some structures allow up to ~20% to contributors before a reduced ~7.5% carry.
  • Exact terms are documented in the specific LLC agreement and product addenda for each cycle.
 
Note: iTradeFX.news has reported no losing months since 2022 across pooled programs; individual results vary by product, timing, and risk tier. Past performance is not a guarantee of future results.

4) Distributions & Reporting

  • Profit Disbursements: Quarterly (four times per year) for operational efficiency.
  • First‑Cycle Courtesy: On a client’s first trade cycle, we may elect to return a portion of profit early to validate the working relationship (case‑by‑case).
  • Weekly Performance Statements: Certified summaries are issued once per week. Each participant chooses the day (must be ≥5 days apart between updates).
  • No Real‑Time Dashboards: To preserve discipline and reduce distractions, we do not provide live trading dashboards. We prioritize verified, periodic reporting.
 

5) Custody, Clearing & Funds Flow

  • Custodial/BSO Layer: Wise Funding serves as a third‑party business services provider, functioning similarly to escrow.
  • Tokenized Flow:
  • Incoming capital → converted into a hard wallet (tokenized).
  • When executing trades, funds move into a hot wallet for market deployment.
  • After trading, principal and profits return hot → hard wallet → business account → participant per disbursement schedule.
  • Depository Banks: May include institutions in Oklahoma or Texas, depending on fund and cycle.
  • Physical Commodities: When applicable, underlying assets are physically backed and stored with FXPro’s selected storage provider.
 

6) Technology & Trading Methodology

  • AI‑Assisted Execution: Sub‑second (tick‑level) signal processing; auto‑adjusts during volatility per predefined rules.
  • Risk Controls: Preset logic for entries/exits, spread discipline, downside protection, and re‑entry on dips. Ability to benefit from both upward momentum and downside corrections (including shorts where permitted).
  • Example (Gold): If a position is initiated at a premium (e.g., $3,310 while spot is $3,300, a $10 spread), systems prioritize capital protection and re‑entry logic to optimize the risk‑reward across intraday ranges.
  • Verticals: Applied to precious metals, energy, forex, and crypto options, with instrument selection driven by liquidity, spread, and probability profiles.
 

7) Onboarding & Trial Trade

Purpose: Validate fit, confirm process discipline, and set expectations.
Typical Window: 7–14 days per trial (most trading windows 1–2 days).
Documents Issued:
  • iTradeFX Account Application
  • KYC/AML Form (basic accreditation review)
  • Commodity Purchase Agreement (trial‑specific)
  • Risk Disclosure Document
  • Registered Invoice (amount & purpose of funds)
We may, at our discretion, provide a small early disbursement from the first completed trade to demonstrate operational efficiency.

8) Culture, Values & Lead Ethics

  • Relationship‑Driven: We remember milestones and maintain a high‑touch, family‑style service ethos.
  • No Boiler Rooms: We do not purchase investor cold‑call lists or run high‑pressure sales. Leads arrive via video campaigns, digital partnerships, and select media placements.
  • Participant Fit Over Volume: We work with individuals who are already financially accomplished and responsible for significant capital/workflows.
 

9) Communications & Contact

  • Primary Contact: Christopher Feimel (Christopher Biemel) — all onboarding and client communications run directly through him.
  • Phone (U.S.): +1‑303‑970‑2018
  • Registered Office (Corporate):
    1905 Sherman St, Suite 200 #1336, Denver, CO 80213 (USA)
  • Operations Hub (Team): Brickell, Miami, Florida (USA)
Please use official channels for all contracts, invoices, and disbursements. We do not accept “side wires,” private funnels, or off‑system processes.

10) Nova Rae — AI Assistant

  • Role: Orientation, FAQs, guided walkthroughs of services and onboarding.
  • Platform: ElevenLabs voice + site chat.
  • Scope: Explains products, risk, onboarding steps, and helps schedule follow‑ups with a human team member.
 

11) Quick Start (Checklist)

Intro Call: Confirm goals, risk tolerance, timeline. KYC/AML: Complete forms + accreditation review. Select Path: Crypto bond tier and/or managed FX/CFD pool. Documents: Execute agreements and receive registered invoice. Fund: Send capital via approved custodial flow. Trial Cycle: 7–14 days; weekly performance statements. Quarterly Payouts: Per schedule; reinvest or disburse per election.

12) FAQs

Q: What is the minimum participation?
A: $25,000 per entry.
Q: When do I see returns?
A: Performance is reported weekly; distributions are quarterly unless otherwise stated for a first‑cycle courtesy.
Q: Why no real‑time dashboard?
A: It reduces distraction and supports disciplined execution. We provide certified weekly statements instead.
Q: Who is FXPro?
A: A long‑established global broker (MT4/MT5/cTrader). We engage FXPro as our introducing broker and share a portion of carry when applicable.
Q: Can I add more mid‑cycle?
A: Add‑ons are reviewed case‑by‑case. Most pools operate on 30‑day cycles; off‑cycle adds may be deferred to the next window.
Q: Are returns guaranteed?
A: No. Targets are not guarantees. Markets involve risk; participants can lose money.
Q: What if I need liquidity before quarter‑end?
A: Liquidity terms are defined in the specific LLC documents. Early withdrawals may be limited or subject to conditions.
Q: Taxes & statements?
A: We provide statements; consult your tax advisor for jurisdiction‑specific obligations.

13) Risk, Compliance & Disclosures

  • Not an offer to the public. Participation is limited to qualified individuals/entities and conducted under private‑placement exemptions.
  • No guarantees. All trading involves risk, including loss of principal. Historical/target returns are illustrative, not promises.
  • KYC/AML required. We verify identity, suitability, and source of funds.
  • System discipline. All contracts, invoices, and disbursements flow through approved channels only.
  • Conflicts & fees. Carry fees and any broker revenue shares (e.g., with FXPro) are fully disclosed in product documents.
 

14) Appendices

A) Example Cycle Timeline (30 Days)

  • Days 1–3: Finalize docs & funding via custodial/BSO flow.
  • Days 4–10: Signal prep, instrument selection, hedging plan.
  • Days 11–20: Execution windows (1–3 sessions typical).
  • Days 21–28: Position management, de‑risking, settlement.
  • Days 29–30: Statement issuance; reinvest/disbursement elections update.

B) Example Risk Matrix (Simplified)

  • Tier 1: Tighter spreads, lower volatility instruments, modest targets, higher capital protection emphasis.
  • Tier 2: Balanced spread/volatility mix, moderate targets.
  • Tier 3: Higher volatility instruments with dynamic hedging and stricter stop governance; higher target bands.
 

Contact

iTradeFX.news
Phone: +1‑303‑970‑2018
Corporate: 1905 Sherman St, Suite 200 #1336, Denver, CO 80213
Operations: Brickell, Miami, FL
For onboarding, ask Nova Rae in chat or contact Christopher Feimel directly.